Jiangxi Hongcheng Environment Co.,Ltd.

SSE:600461.SS

9.37 (CNY) • At close August 4, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) CNY.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operating Activities:
Net Income 1,337.741,239.5721,092.217949.88784.409580.842418.063349.077290.487193.141151.9101.299101.77999.85395.0222.39520.69829.36728.75527.29225.50425.469
Depreciation & Amortization 1,036.341,032.691968.088651.912509.947483.718412.387340.484312.533235.387223.125216.528209.665202.82164.60446.82246.39240.52635.81525.80118.74718.43
Deferred Income Tax 0-44.20711.4536.053-15.544-0.68-7.058-7.906-6.112-12.848000000000000
Stock Based Compensation 0000000000000000000000
Change In Working Capital -685.921-825.183-210.427-462.607-137.315-49.053109.18726.4525.661-20.48343.9166.68-54.23327.007-115.151.15514.667-4.605-5.05-23.703-9.1244.176
Accounts Receivables -802.233-1,170.781-121.299-366.106-228.473-246.02-252.074165.122-99.482-55.288-41.944-70.99-32.701000000000
Inventory 55.14630.49851.477-112.195-0.613-136.716-16.537-71.188-16.308-30.168-11.043-1.17-6.103-6.031-1.7810.556-0.6260.012-0.125-4.642-0.013-0.053
Accounts Payables 0315.1-152.05870.489107.314334.363384.857-59.578147.564152.561000000000000
Other Working Capital 61.167011.453-54.795-15.543-0.68125.72597.63841.9699.68554.9597.85-48.1333.038-113.3690.59915.293-4.617-4.924-19.061-9.1114.228
Other Non Cash Items 285.988325.955323.261241.976215.105186.03182.52158.95794.6395.677122.771122.849139.438144.1471.8889.51612.5433.8165.8343.7832.4856.989
Operating Cash Flow 1,974.1481,728.8292,187.6081,381.1611,372.1461,201.5381,122.158774.968723.31503.722541.713447.356396.648473.821216.36379.88894.30169.10465.35433.17337.61355.063
Investing Activities:
Investments In Property Plant And Equipment -1,889.532-1,871.773-1,622.723-1,908.915-2,287.232-1,187.745-1,591.526-779.527-578.011-334.14-387.698-342.413-329.912-139.26-1,884.241-72.243-51.585-65.375-97.619-89.88-60.112-40.135
Acquisitions Net 01.36915.51555.745114.341-1.9450.62562.8523.684334.178387.740.150.055-9.4760.0360.0250.0020.04297.69889.97860.1120
Purchases Of Investments 00-383.641-55.745-114.34159.879-32.911-8.12-166.2-129.54-180-182.6-202-76.477-1,129.246-15.545-16.065-163.291-55.372-62.151-78.3290
Sales Maturities Of Investments 04.3666.93510.34445.7448.74825.273174.383158.21195.901195.877203.31526.8143.7115.6950.0832.078164.45945.4146079.1590
Other Investing Activites 0.73342.43645.913313.40281.3690.162-7.495-105.46-334.14-387.6980.049-1.0870.8640.147517-24-97.619-89.88-60.112-40.135
Investing Cash Flow -1,888.798-1,823.601-1,938-1,585.169-2,160.12-1,120.902-1,606.035-560.412-576.858-267.74-371.778-321.498-506.13-220.639-2,997.608-82.68-48.57-88.165-107.5-91.933-59.283-40.135
Financing Activities:
Debt Repayment 758.4531,134.219-1,025.261-272.7173,116.03452.865491.239509.722-52.067-28.054-21.587-8.306300.039-137.8371,566.7364.96914.351-13.95938.527-6.9-39.09123.671
Common Stock Issued 0000000000000000000000
Common Stock Repurchased 0000000000000000000000
Dividends Paid -607.833-783.478-519.656-399.153-246.49-134.231-177.496-301.962-268.419-164.242-176.7-172.216-196.1-164.407-82.219-21.242-24.294-20.667-19.589-17.815-23.791-26.056
Other Financing Activities -11.94530.343345.774147.6047.38819.595-62.69724.379532.47442.728111.39880.461-1.8501,434.346545.331-36.12801.8820262.5750.584
Financing Cash Flow 138.675381.084-1,428.064-988.0762,685.709966.761251.046283.847211.988-169.625-86.889-100.061102.089-302.2452,918.8579.947-46.071-34.62620.82-24.715199.693-1.801
Other Information:
Effect Of Forex Changes On Cash 000000-0-00-0-00-0-000-0-0000-0
Net Change In Cash 224.024290.102-1,178.456-1,192.0831,897.7351,047.397-232.831498.403358.4466.35683.04525.797-7.393-49.063137.6127.155-0.34-53.686-21.326-83.475178.02313.127
Cash At End Of Period 2,833.8732,609.8492,301.1352,940.5674,132.652,234.9151,187.5181,420.348921.945356.762290.406207.361181.564188.957238.02153.67546.52146.861100.547121.873205.34827.325